Western Asset High Income Opportunity Fund Inc Informations sur les dividendes
Western Asset High Income Opportunity Fund Inc a un dividende annuel de 0.43 par action, avec un rendement de 0.00%. Le dividende est payé mensuellement et la dernière date d'ex-dividende était le Dec 23, 2025.
Rendement en dividend
Dividende annuel
Date ex-dividende
0.00%
$0.43
Dec 23, 2025
Fréquence des paiements
Taux de distribution
Mensuellement
0.00%
Historique des dividendes
Date ex-dividende
Montant en espèces
Date de registre
Date de paiement
Dec 23, 2025
$0.0355
Dec 23, 2025
Dec 31, 2025
Nov 20, 2025
$0.0355
Nov 20, 2025
Dec 1, 2025
Oct 24, 2025
$0.0355
Oct 24, 2025
Nov 3, 2025
Sep 23, 2025
$0.0355
Sep 23, 2025
Oct 1, 2025
Aug 22, 2025
$0.0355
Aug 22, 2025
Sep 2, 2025
Jul 24, 2025
$0.0355
Jul 24, 2025
Aug 1, 2025
Graphiques des dividendes
HIO Dividendes
HIO Croissance des dividendes (variation annuelle)
Follow-Up Questions
Quel est le dividende actuel payé par Western Asset High Income Opportunity Fund Inc et son dividende annuel ?
Quel est le ratio de distribution de dividendes de Western Asset High Income Opportunity Fund Inc ?
Quelle est la date ex-dividende pour HIO ?
À quelle fréquence Western Asset High Income Opportunity Fund Inc verse-t-elle des dividendes ?
Statistiques clés
Clôture préc.
$3.76
Prix d'ouverture
$3.7
Plage de la journée
$3.7 - $3.72
Plage de 52 semaines
$3.36 - $4.15
Volume
301.4K
Volume moyen
464.0K
BPA (TTM)
--
Rendement en dividend
--
Capitalisation boursière
$352.8M
Qu’est-ce que HIO ?
Western Asset High Income Opportunity Fund Inc is a US-based company operating in industry. The company is headquartered in New York City, New York. Western Asset High Income Opportunity Fund Inc. (the Fund) is a diversified, closed-end management investment company. The Fund seeks high current income. Capital appreciation is a secondary objective. In seeking to fulfill its investment objectives, the Fund invests, under normal market conditions, at least 80% of its net assets in high-yield securities and up to 20% in common stock equivalents, including options, warrants and rights. The Fund invests in sectors, such as consumer cyclical, communications, energy, finance, consumer non-cyclical, transportation, EM government, capital goods, and other. The Fund’s investment manager is Franklin Templeton Fund Adviser, LLC.